BSE Prices delayed by 5 minutes ! Prices as on   Jun 17, 2025 - 9:22AM   ABB India 6020.35 [ 0.15% ]ACC 1866.15 [ -0.39% ]Ambuja Cements 548.3 [ -0.32% ]Asian Paints Ltd. 2241.25 [ -0.11% ]Axis Bank Ltd. 1220.7 [ 0.42% ]Bajaj Auto 8484.2 [ -0.54% ]Bank of Baroda 239.95 [ -0.31% ]Bharti Airtel 1857.25 [ -0.22% ]Bharat Heavy Ele 254.1 [ -0.14% ]Bharat Petroleum 317.9 [ 0.52% ]Britannia Ind. 5551.35 [ -0.15% ]Cipla 1517 [ -0.65% ]Coal India 393.9 [ -0.10% ]Colgate Palm. 2380.35 [ -0.23% ]Dabur India 471.3 [ -0.08% ]DLF Ltd. 865.85 [ 0.79% ]Dr. Reddy's Labs 1336.8 [ -0.74% ]GAIL (India) 190.9 [ -0.37% ]Grasim Inds. 2682.2 [ -0.77% ]HCL Technologies 1722.3 [ -0.04% ]HDFC Bank 1930.75 [ -0.22% ]Hero MotoCorp 4345 [ -0.40% ]Hindustan Unilever L 2314 [ -0.51% ]Hindalco Indus. 645.55 [ -0.64% ]ICICI Bank 1428.1 [ 0.09% ]Indian Hotels Co 758.75 [ 0.47% ]IndusInd Bank 811 [ -1.23% ]Infosys L 1621.9 [ -0.11% ]ITC Ltd. 416.6 [ -0.36% ]Jindal St & Pwr 920.35 [ -0.18% ]Kotak Mahindra Bank 2149 [ 0.49% ]L&T 3606.9 [ -0.62% ]Lupin Ltd. 1992.85 [ -0.88% ]Mahi. & Mahi 3002.55 [ -0.60% ]Maruti Suzuki India 12489.25 [ -0.37% ]MTNL 51.09 [ -0.66% ]Nestle India 2374.05 [ -0.64% ]NIIT Ltd. 134.75 [ 1.32% ]NMDC Ltd. 70.02 [ -0.69% ]NTPC 334.65 [ 0.27% ]ONGC 252.45 [ -1.54% ]Punj. NationlBak 107 [ 0.19% ]Power Grid Corpo 288.6 [ -0.02% ]Reliance Inds. 1433.65 [ -0.34% ]SBI 793.4 [ 0.07% ]Vedanta 459.95 [ -0.84% ]Shipping Corpn. 224.05 [ -4.84% ]Sun Pharma. 1666.9 [ -1.11% ]Tata Chemicals 935.25 [ -0.14% ]Tata Consumer Produc 1083.25 [ 0.01% ]Tata Motors 678.05 [ -1.26% ]Tata Steel 153.35 [ -0.49% ]Tata Power Co. 399 [ -0.11% ]Tata Consultancy 3496.15 [ 0.02% ]Tech Mahindra 1690.65 [ -0.20% ]UltraTech Cement 11360 [ -1.18% ]United Spirits 1482.4 [ -0.20% ]Wipro 262.95 [ 0.00% ]Zee Entertainment En 140.35 [ 1.74% ]
BSE

MARKETS

Mutual Fund

DIVIDEND HISTORY

GO

Baroda BNP Paribas Banking and PSU Bond Fund - Direct Plan

You can view the dividend history of MF. Search for the scheme to get more details.

Fund : Baroda BNP Paribas Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(16/06/2025) 12.9670
Percentage Returns :
1 Month Ago : 0.48%
3 Months Ago : 3.96%
1 Year Ago : 9.94%
Dividend DatePercentage(%)
27/05/20250.60
28/04/20250.60
27/03/20250.60
27/03/20251.80
27/02/20250.60
27/01/20250.60
27/12/20240.60
27/12/20241.80
27/11/20240.60
28/10/20240.60